Tag: Risk Management
Carmignac P. EM Debt: Letter from the Fund Manager
-9.82% Carmignac P. EM Debt’s performance in the 2nd quarter of...
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EU Fragmentation Risks Loom Large as Central Banks Tighten Amid Patchy Economic Data
Even if our big data based business cycle model Wave...
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Take Two: Fed Eyes More Restrictive Stance; ECB Leaves Door Open to Bigger Hikes
What do you need to know? The US Federal Reserve...
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Isaac Newton’s Groupthink Folly: Focusing on Froth, Not Performance.
Key Points The 18th-century mathematician Sir Isaac Newton lost a...
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Reaching the Peak: How Investors can Navigate the Path Ahead for Inflation
Just when markets thought US inflation had peaked, it surprised...
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How can Real Estate Debt Act as a Potential Hedge Against Inflation?
Real estate debt can act as a “triple hedge” against...
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Investment Strategy Insights: What a Hot and Hungry Summer Could Mean for Inflation
Crop failures and food shortages may seem like vestiges of...
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Risk & Reward – 2nd Issue 2022
Proxy voting can be powerful, but also challenging, particularly when...
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June Op-Ed – Stories for the Summer
Key points The so far impressive resilience in economic activity...
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June Global Macro Monthly – A Summer of Discontent
Key points Our global outlook was more pessimistic than...
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